The subject Covered Source Permit is issued in accordance with Hawaii Administrative Rules, Title 11, Chapter 60.1. The issuance of this permit is based on the plans, specifications, and information submitted as part of your application dated September 1994, and all supplemental information dated November 2, 1994, January 3, 1996 and November 8, 1996.

The Covered Source Permit is issued subject to the conditions/requirements set forth in the following Attachments:

This permit, (a) shall not in any manner affect the title of the premises upon which the equipment is to be located, (b) does not release the permittee from any liability for any loss due to personal injury or property damage caused by, resulting from or arising out of the design, installation, maintenance, or operation of the equipment, and (c) in no manner implies or suggests that the Department of Health, or its officers, agents, or employees, assumes any liability, directly or indirectly, for any loss due to personal injury or property damage caused by, resulting from or arising out of the design, installation, maintenance, or operation of the equipment.

Sincerely,

THOMAS E. ARIZUMI, P.E., CHIEF
Environmental Management Division

DL/gk
Enclosures

ATTACHMENT I: STANDARD CONDITIONSCOVERED SOURCE PERMIT NO. 0087-01-C

[Issuance Date]

This permit is granted in accordance with the Hawaii Administrative Rules (HAR), Title 11, Chapter 60.1, Air Pollution Control, and is subject to the following standard conditions:

1. Unless specifically identified, the terms and conditions contained in this permit are consistent with the applicable requirement, including form, on which each term or condition is based.

(Auth.: HAR §11-60.1-90)

2 This permit, or a copy thereof, shall be maintained at or near the source and shall be made available for inspection upon request. The permit shall not be wilfully defaced, altered, forged, counterfeited, or falsified.

(Auth.: HAR §11-60.1-6;SIP §11-60-11)2

3. This permit is not transferable whether by operation of law or otherwise, from person to person, from place to place, or from one piece of equipment to another without the approval of the Department of Health, except as provided in HAR, Section 11-60.1-91.

(Auth.: HAR §11-60.1-7;SIP §11-60-9)2

4. A request for transfer from person to person shall be made on forms furnished by the Department of Health.

(Auth.: HAR §11-60.1-7)

5. In the event of any changes in control or ownership of the facilities to be constructed or modified, this permit shall be binding on all subsequent owners and operators. The permittee shall notify the succeeding owner and operator of the existence of this permit and its conditions by letter, copies of which will be forwarded to the Department of Health and the Regional Administrator for the U.S. Environmental Protection Agency (EPA).

(Auth.: HAR §11-60.1-5, §11-60.1-7, §11-60.1-94)

6. The facility covered by this permit shall be constructed and operated in accordance with the application, and any information submitted as part of the application, for the Covered Source Permit. There shall be no deviation unless additional or revised plans are submitted to and approved by the Department of Health, and the permit is amended to allow such deviation.

7. This permit (a) does not release the permittee from compliance with other applicable statutes of the State of Hawaii, or with applicable local laws, regulations, or ordinances, and (b) shall not constitute, nor be construed to be an approval of the design of the covered source.

(Auth.: HAR §11-60.1-5, §11-60.1-82)

CSP No. 0087-01-CAttachment IPage 1 of 6[Issuance Date]

8. The permittee shall comply with all the terms and conditions of this permit. Any permit noncompliance constitutes a violation of HAR, Chapter 11-60.1 and the Clean Air Act and is grounds for enforcement action; for permit termination, suspension, reopening, or amendment; or for denial of a permit renewal application.

(Auth.: HAR §11-60.1-3, §11-60.1-10, §11-60.1-19, §11-60.1-90)

9. If any term or condition of this permit becomes invalid as a result of a challenge to a portion of this permit, the other terms and conditions of this permit shall not be affected and shall remain valid.

(Auth.: HAR §11-60.1-90)

10. The permittee shall not use as a defense in an enforcement action that it would have been necessary to halt or reduce the permitted activity to maintain compliance with the terms and conditions of this permit.

(Auth.: HAR §11-60.1-90)

11. This permit may be terminated, suspended, reopened, or amended for cause pursuant to HAR, Sections, 11-60.1-10 and 11-60.1-98, and Hawaii Revised Statutes (HRS), Chapter 342B-27, after affording the permittee an opportunity for a hearing in accordance with HRS, Chapter 91.

(Auth.: HAR §11-60.1-3, §11-60.1-10, §11-60.1-90, §11-60.1-98)

12. The filing of a request by the permittee for the termination, suspension, reopening, or amendment of this permit, or of a notification of planned changes or anticipated noncompliance does not stay any permit condition.

(Auth.: HAR §11-60.1-90)

13. This permit does not convey any property rights of any sort, or any exclusive privilege.

(Auth.: HAR §11-60.1-90)

14. The permittee shall notify the Department of Health in writing of the following dates:

a. The anticipated date of initial start-up for each emission unit of a new source or significant modification not more than sixty (60) days or less than thirty (30) days prior to such date.

b. The actual date of construction commencement within fifteen (15) days after such date.

c. The actual date of start-up within fifteen (15) days after such date.

(Auth.: HAR §11-60.1-90)

15. The permittee shall furnish, in a timely manner, any information or records requested in writing by the Department of Health to determine whether cause exists for terminating, suspending, reopening, or amending this permit, or to determine compliance with this permit. Upon request, the permittee shall also furnish to the Department of Health copies of records required to be kept by the permit. For information claimed to be confidential, the Director of Health may require the permittee to furnish such records not only to the Department of Health but also directly to the U.S. EPA Administrator along with a claim of confidentiality.

(Auth.: HAR §11-60.1-14, §11-60.1-90)

16. The permittee shall notify the Department of Health in writing, of the intent to shut down air pollution control equipment for necessary scheduled maintenance at least twenty-four (24) hours prior to the planned shutdown. The submittal of this notice shall not be a defense to an enforcement action. The notice shall include the following:

a. Identification of the specific equipment to be taken out of service, as well as its location and permit number;

b. The expected length of time that the air pollution control equipment will be out of service;

c. The nature and quantity of emissions of air pollutants likely to be emitted during the shutdown period;

d. Measures such as the use of off-shift labor and equipment that will be taken to minimize the length of the shutdown period; and

e. The reasons why it would be impossible or impractical to shut down the source operation during the maintenance period.

(Auth.: HAR §11-60.1-15;SIP §11-60-16)2

17. Except for emergencies which result in noncompliance with any technology-based emission limitation in accordance with HAR, Section 11-60.1-97, in the event any emission unit, air pollution control equipment, or related equipment breaks down in such a manner as to cause the emission of air pollutants in violation of HAR, Chapter 11-60.1 or this permit, the permittee shall immediately notify the Department of Health of the failure or breakdown, unless the protection of personnel or public health or safety demands immediate attention to the failure or breakdown and makes such notification infeasible. In the latter case, the notice shall be provided as soon as practicable. Within five (5) working days of this initial notification, the permittee shall also submit, in writing, the following information:

a. Identification of emission points;

b. Magnitude of the excess emissions;

c. Time and duration of the excess emissions;

d. Identity of the process or control equipment causing the excess emissions;

e. Cause and nature of the excess emissions;

f. Description of the steps taken to remedy the situation, prevent a recurrence, limit the excessive emissions, and assure that the breakdown does not interfere with the attainment and maintenance of the National Ambient Air Quality Standards and state ambient air quality standards;

g. Documentation that the equipment or process was at all times maintained and operated in a manner consistent with good practice for minimizing emissions; and

h. A statement that the excess emissions are not part of a recurring pattern indicative of inadequate design, operation, or maintenance.

The submittal of these notices shall not be a defense to an enforcement action.

(Auth.: HAR §11-60.1-16;SIP §11-60-16)2

18. A copy of applicable correspondence or records submitted to the Department of Health shall be provided to the U.S. EPA Administrator.

(Auth.: HAR §11-60.1-90)

19. The permittee may request confidential treatment of any records in accordance with HAR section 11-60.1-14.

(Auth.: HAR §11-60.1-14, §11-60.1-90)

20. This permit shall become invalid with respect to the authorized construction if construction is not commenced as follows:

a. Within eighteen (18) months after the permit takes effect, is discontinued for a period of eighteen (18) months or more, or is not completed within a reasonable time.

b. For phased construction projects, each phase shall commence construction within eighteen (18) months of the projected and approved commencement dates in the permit. This provision shall be applicable only if the projected and approved commencement dates of each construction phase are defined in Attachment II, Special Conditions, of this permit.

(Auth.: HAR §11-60.1-9, §11-60.1-90)

21. The Department of Health may extend the time periods specified in Standard Condition No. 20 upon a satisfactory showing that an extension is justified. Requests for an extension shall be submitted in writing to the Department of Health.

23. All certifications shall be in accordance with HAR, section 11-60.1-4.

(Auth.: §11-60.1-4, HAR §11-60.1-90)

24. The permittee shall allow the Director of Health, the Regional Administrator for the U.S. EPA and/or an authorized representative, upon presentation of credentials or other documents required by law:

a. To enter the premises where a source is located or emission-related activity is conducted, or where records must be kept under the conditions of this permit and inspect at reasonable times all facilities, equipment, including monitoring and air pollution control equipment, practices, operations, or records covered under the terms and conditions of this permit and request copies of records or copy records required by this permit; and
b. To sample or monitor at reasonable times substances or parameters to assure compliance with this permit or applicable requirements of HAR, Chapter 11-60.1.

(Auth.: HAR §11-60.1-11, §11-60.1-90)

25. Within thirty (30) days of permanent discontinuance of the construction, modification, relocation, or operation of the facility covered by this permit, the discontinuance shall be reported in writing to the Department of Health by a responsible official of the source.

(Auth.: HAR §11-60.1-8;SIP §11-60-10)2

26. Application for permit renewal shall be submitted a minimum of twelve (12) months prior to the date of permit expiration on forms furnished by the Department of Health in accordance with HAR, section 11-60.1-101. In no event shall a renewal application be submitted more than eighteen (18) months before the date of expiration.

(Auth.: HAR §11-60.1-101, 40 CFR §70.5(a)(1)(iii))1

27. The terms and conditions included in this permit, including any provision designed to limit a source's potential to emit, are federally enforceable unless such terms, conditions, or requirements are specifically designated as not federally enforceable.

(Auth.: HAR §11-60.1-93)

28. The compliance plan and compliance certification submittal requirements shall be in accordance with HAR, sections 11-60.1-85 and 11-60.1-86. As specified in HAR, section 11-60.1-86, the compliance certification shall be submitted to the Department of Health and the U.S. EPA Regional Administrator once per year, or more frequently as set by any applicable requirement.

(Auth.: HAR §11-60.1-90)

29. Any document (including reports) required to be submitted by this permit shall be certified as being true, accurate, and complete by a responsible official in accordance with HAR, sections 11-60.1-1 and 11-60.1-4, and shall be mailed to the following address:

1The citations to the Code of Federal Regulations (CFR) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the CFR. Due to the integration of the preconstruction and operating permit requirements, permit conditions may incorporate more stringent requirements than those set forth in the CFR.

2 The citations to the State Implementation Plan (SIP) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the SIP.

2. The permittee shall permanently attach an identification tag or nameplate on each piece of equipment which identifies the model number, serial or I.D. number and manufacturer. The identification tag or nameplate shall be attached to the equipment in a conspicuous location.

(Auth.: HAR §11-60.1-5)

Section B. Applicable Federal Regulations

1. This equipment is subject to the provisions of the following sections:

a. 40 CFR Part 60, Standards of Performance for New Stationary Sources:

i. Subpart A - General Provisions
ii. Subpart Da - Standards of Performance for Electric Utility Steam Generating Units for Which Construction is Commenced After September 18, 1978.

b. 40 CFR Part 52.21, Prevention of Significant Deterioration of Air Quality

The permittee shall comply with all applicable requirements of these standards, including all emission limits, notification, testing, monitoring and reporting requirements. The major requirements of these standards are detailed in the special conditions of this permit.

2. The storage and use of ammonia in this facility is subject to the provisions of 40 CFR Part 68, Chemical Accident Prevention Provisions. The permittee shall comply with all applicable requirements, including submittal of:

a. A compliance schedule for meeting the requirements of 40 CFR Part 68 by the date provided in 40 CFR 68.10(a); or
b. As part of the compliance certification submitted pursuant to Attachment I, Standard Condition No. 28, a certification statement that the facility is in compliance with all requirements of 40 CFR 68, including the registration and submission of the Risk Management Plan.

(Auth.: HAR §11-60.1-3, §11-60.1-90, 40 CFR 68)1

Section C. Operational and Emission Limitations

1. The CFB Boilers A and B shall be fired primarily on coal with a maximum sulfur content not to exceed 1.5 percent by weight. During hot or cold startups, the CFB Boilers A and B may be fired on Fuel Oil No. 2 with a maximum sulfur content not to exceed 0.5 percent by weight.

(Auth.: HAR §11-60.1-5, §11-60.1-38, §11-60.1-90)

2. The CFB Boilers A and B may also be fired on a mixture of coal and tire derived fuel (TDF) such that the feed rate of TDF does not exceed 7.5 tons per hour.

(Auth.: HAR §11-60.1-5, §11-60.1-90)

3. The maximum amount of coal and TDF fired into the CFB Boilers A and B shall not exceed 215,000 lb/hr.

(Auth.: HAR §11-60.1-5, §11-60.1-90)

4. Air Pollution Control Equipment

The permittee shall continuously operate and maintain the following air pollution controls to meet the emissions limits as specified in Attachment IIA, Special Condition No. C.5 of this Covered Source Permit. The following controls shall be fully operational upon startup and thereafter:

a. CFB Boilers A and B shall employ limestone injection designed to meet the following:

d. The permittee shall ensure the following items of the baghouse are operating properly:

i. The filter bags are checked for any tears, holes, abrasions and scuffs; and replaced as needed.
ii. The hoppers are discharged in a timely manner to prevent excessive particulate buildup which could cause compaction, overflow or plugging.
iii. The cleaning system is maintained and operated at sufficient intervals to minimize particulate buildup or caking on the filter bags.
iv. Other items/equipment, essential for the effective operation of the baghouse are maintained.

e. Proper combustion controls

The use of an alternative control system other than those specified in Attachment IIA, Special Condition No. C.4 (contingent upon receipt of the Department of Health’s written approval to use such a system) shall not relieve the permittee from the responsibility to meet all emission limitations contained within this Covered Source Permit.

f. The 25,000 gallon anhydrous ammonia storage tank associated with the Thermal DeNOx system shall be pressurized and equipped with an over pressure detection system. The filling of ammonia into the storage tank shall be done under a closed system where the displaced vapors from the storage tank are routed back to the delivery vessel.

The 180 megawatt (MW) steam-electric cogeneration plant shall not discharge or cause the discharge into the atmosphere from the stack of the CFB Boilers A and B, sulfur dioxide, nitrogen oxides (NOx as NO2), carbon monoxide, hydrocarbons, lead, particulate matter, fluorides, mercury, beryllium and sulfuric acid mist in excess of the following specified limits:

Maximum Emission Limits1

Compound

lb/hrlb/mmBtuppmvd @ 15%O2gr/dscf @ 12% CO2, dry

Sulfur Dioxide (SO2)

645.01.248--

Nitrogen Oxides (NOX)2

--------

baseload

236.50.525--

low load5

236.50.559--

Carbon Monoxide (CO)

408.4--70--

Volatile Organic Compounds (VOC)3

32.2--3.5--

Lead (Pb)

5.7----1.2E-3

Particulate Matter (TSP)

32.24----7.0E-3

Fluorides

0.029.3E-5----

Mercury

0.178.1E-5----

Beryllium

0.0673.1E-5----

Sulfuric Acid Mist

4.101.9E-3----

1 3-hour average with standard conditions assumed to be 680F and 29.92 inches Hg. Stack concentrations assumed to be 5% H2O, 6.5% O2 and 12% CO2. Stack temperature at outlet is 2650F and stack pressure at outlet is atmospheric (29.92 inches Hg).2 Molecular weight of NOx taken to be that of NO2 (46).3 Molecular weight of VOC taken to be that of propane (44).4 PM10 emission rate assumed to be 100% of the total particulate matter (TSP) emission rate.5 Low load is an individual boiler heat input of less than 450 mmBtu/hr.

The permittee shall not discharge or cause the discharge into the atmosphere emissions from the CFB Boilers' stack exhibiting an opacity of 20 percent or greater (six-minute average), except for one six-minute period per hour of not more than 27 percent opacity.

(Auth.: HAR §11-60.1-3, §11-60.1-32, §11-60.1-90, 40 CFR 60.42a)1

7. Fugitive Particulate Emissions

a. The permittee shall take measures to control fugitive dust (e.g., wet suppression, enclosures, etc.) at all material transfer points, stockpiles, and throughout the workyard. The Department of Health may at any time require the permittee to further abate fugitive dust emissions if an inspection indicates poor or insufficient control.
b. The permittee shall not cause or permit fugitive dust to become airborne without taking reasonable precautions and shall not cause or permit the discharge of visible emissions or fugitive dust beyond the lot line of the property on which the emissions originate.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-33, §11-60.1-90)

Section D. Monitoring and Recordkeeping Requirements

1. The sulfur content of the coal and fuel oil fired in the CFB Boilers shall be tested in accordance with the most current American Society for Testing and Materials (ASTM) methods. The sulfur content of the coal and fuel oil shall be verified by both of the following methods:

a. A representative sample of the coal and fuel oil used by the CFB Boilers A and B shall be analyzed for its sulfur content by weight at least once a month; and
b. A certificate of analysis on the sulfur content of the coal and fuel oil shall be obtained from the respective suppliers upon delivery of shipments.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-11, §11-60.1-90)

2. The permittee shall operate and maintain a fuel measurement system(s) for the continuous measurement and recording of the amount of coal and oil being fired in CFB Boilers A and B. The permittee shall also measure and record the amount of TDF being fired in CFB Boilers A and B.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-11, §11-60.1-90)

3. The permittee shall maintain records on the total amount of fuel fired in the CFB Boilers A and B on a daily and monthly basis. The permittee shall maintain records of fuel sulfur content on a monthly basis.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-11, §11-60.1-90)

4. The permittee shall operate and maintain a continuous monitoring system to monitor and record the opacity of the stack emissions and the concentrations of NOx, SO2, and CO2 or O2 in the CFB Boilers A and B stack gas. For the CO2 CEMS, 40 CFR 60, Appendix A Method 20 Equations 20-2 and 20-5 shall be used. The system shall meet EPA performance specifications (40 CFR 60.13 and 40 CFR 60, Appendices B and F).

5. The permittee shall maintain a file of all measurements and monitoring data, including the continuous monitoring system performance evaluations; calibrations checks; and adjustments and maintenance performed on the system or devices and all other information required to be recorded by 40 CFR 60.13 in a permanent form suitable for inspection.

6. All records, including support information, shall be maintained at the facility for at least five (5) years from the date of the monitoring samples, measurements, tests, reports, or application. Support information includes all calibration and maintenance records and copies of all reports required by the permit. These records shall be in a permanent form suitable for inspection and made available to the Department of Health or their representative upon request.

The permittee shall submit a written report of all excess emissions to the Department of Health for every calendar quarter. The report shall include, but not be limited to, the following information:

a. The magnitude of excess emissions computed in accordance with 40 CFR 60.13(h), any conversion factors used, the date and time of commencement and completion of each time period of excess emissions.
b. Specific identification of each period of excess emissions that occurs during startups, shutdowns, and malfunctions of the CFB boilers' systems. The nature and cause of any malfunction (if known), and the corrective action taken or preventive measures adopted, shall also be reported.

c. The date and time identifying each period during which the continuous monitoring system was inoperative except for zero and span checks. The nature of each system repair or adjustment shall be described.

d. The report shall so state if no excess emissions have occurred. Also, the report shall so state if the continuous emission monitoring system operated properly during the period and was not subject to any repairs or adjustments except daily zero and span checks.

e. All reports shall be postmarked by the 30th day following the end of each monitoring quarter. The enclosed Excess Emission and Monitoring System Performance Summary Report shall be used in conjunction to the reporting of excess emissions of NOX, SO2 and opacity.
f. For purposes of this Covered Source Permit, excess emissions shall be defined as follows:

i. Any three (3)-hour period during which the average emissions of NOX and SO2, as measured by the continuous monitoring system, exceed the emission limits set forth in Attachment IIA, Special Condition No. C.5.
ii. Any opacity measurements, as measured by the transmissometer continuous monitoring system exceeding the opacity limits and corresponding averaging times set forth in Attachment IIA, Special Condition No. C.6.

g. Excess emissions indicated by the continuous monitoring system shall be considered violations of the applicable emission limit for the purpose of the permit except during start-up, shut-down and equipment breakdown.

a. As required by Attachment IV and in conjunction with the requirements of Attachment III, the permittee shall submit on an annual basis the total tons per year emitted of each regulated air pollutant, including hazardous air pollutants. The reporting of annual emissions is due within sixty (60) days following the end of each calendar year. Upon written request of the permittee, the deadline may be extended if the Department of Health determines that reasonable justification exists for the extension.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-90, §11-60.1-114)

3. Additional notification and reporting requirements shall be conducted in accordance with the standard conditions found in Attachment I, Standard Conditions 16, 17 and 25 respectively. These notifications shall include, but not be limited to:

a. Intent to shut down air pollution control equipment for necessary scheduled maintenance,
b. Emissions of air pollutants in violation of HAR, Chapter 11-60.1 or this permit (excluding technology-based emission exceedences due to emergencies), and
c. Permanent discontinuance of construction, modification, relocation or operation of the facility covered by this permit.

(Auth.: HAR §11-60.1-8, §11-60.1-15, §11-60.1-16, §11-60.1-90)

4. The permittee shall report within five (5) working daysany deviations from the permit requirements, including those attributable to upset conditions, the probable cause of such deviations and any corrective actions or preventive measures taken. Corrective actions may include a requirement for additional stack testing or more frequent monitoring, or could trigger implementation of a corrective action plan.

5. At least thirty (30) days prior to the following events, the permittee shall notify the Department of Health in writing of:

a. Conducting a performance specification test on the CEMS. The testing date shall be in accordance with the performance test date identified in 40 CFR 60.13.
b. Conducting a source performance test as required in Attachment IIA, Section F.

(Auth.: HAR §11-60.1-3, §11-60.1-90, §11-60.1-161; 40 CFR 60.13)1

6. Compliance Certification

During the permit term, the permittee shall submit at least annually to the Department of Health a compliance certification pursuant to HAR, Subsection 11-60.1-86. The permittee shall indicate whether or not compliance is being met with each term or condition of this permit.

(Auth.: HAR §11-60.1-86, §11-60.1-90)

7. The permittee shall submit semi-annually the following written reports to the Department of Health. The report shall be submitted within sixty (60) days afterthe end of each semi-annual calendar period (January 1 to June 30 and July 1 to December 31), and shall include the following:

a. The total amount of fuel burned in the boiler on a daily and monthly basis. The enclosed Monitoring Report Form: Boilers shall be used for reporting;
b. Summary of fuel sulfur content;
c. Identify any occurrences where the fuel received by the facility does not meet the fuel specification identified in Attachment IIA, Special Condition No. C.1. If all fuel received for the applicable period meet the specification, the permittee shall state so; and

d. Deviations from permit requirements shall be clearly identified and addressed in these reports.

(Auth.: HAR §11-60.1-3, §11-60.1-90)

8. Within sixty (60) days after the end of each calendar year, the file of all measurements and monitoring data, including the continuous monitoring system performance evaluations; calibrations checks; and adjustments and maintenance performed on the system or devices and all other information required to be recorded by 40 CFR 60.13 for that calendar year shall be summarized and reported to the Department of Health.

1. The permittee shall conduct or cause to be conducted annual emissions performance tests on the two (2) fluidized bed boilers for nitrogen oxides (NOx as NO2), volatile organic compounds (VOC), sulfur dioxide (SO2), carbon monoxide (CO), lead (Pb), particulate matter (TSP), fluorides, mercury, beryllium and sulfuric acid mist. The permittee shall furnish the Department of Health and the EPA a written report of such tests. All performance tests shall be conducted at the maximum operating capacity of the units being tested, and at other operating capacities as may be specified in the methods cited in Attachment IIA, Special Condition No. F.2. The report shall also indicate the type of fuel used during the testing.

Performance tests shall also be conducted at such other times as may be specified by the Department of Health. The Department of Health may waive a specific performance test upon prior written request of the permittee. Such a request would need to be justified on the grounds that prior tests had shown compliance by a wide margin, and that adequate alternative means exist to show continuing compliance.

The permittee may also be required to conduct performance tests on the two fluidized bed boilers, while combusting TDF. Performance tests may also be required for additional pollutants as specified by the Department of Health.

3. Each performance test shall consist of three (3) separate runs using the applicable test method. For the purpose of determining compliance with the applicable regulation, the arithmetic mean of the results from the three (3) runs shall apply.

4. At least thirty (30) days prior to actual testing, the permittee shall submit to the Department of Health a written quality assurance test plan detailing methods and procedures to be used. Such a plan shall conform to EPA guidelines including quality assurance procedures. A test plan or quality assurance plan that does not have the approval of the Department of Health may be grounds to invalidate any test and require a retest.

(Auth.: HAR §11-60.1-5, §11-60.1-11, §11-60.1-90; SIP§11-60.-15) 2

5. The permittee, at its own expense, shall be responsible for installing, providing and maintaining the necessary ports in stacks or ducts and such other safe and proper sampling and testing facilities as may be necessary for the determination of the air pollutant emissions. The Department of Health may monitor any of the required performance tests.

6. Within sixty (60) days after a performance test, the permittee shall submit to the Department of Health the test report which shall include the operating conditions of the CFB Boilers A and B at the time of the test, the summarized test results, and other pertinent field and laboratory data.

Any document (including reports) required to be submitted by this Covered Source Permit shall be in accordance with Attachment I, Standard Conditions, Condition 29.

(Auth.: HAR §11-60.1-4, §11-60.1-90)

1The citations to the Code of Federal Regulations (CFR) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the CFR. Due to the integration of the preconstruction and operating permit requirements, permit conditions may incorporate more stringent requirements than those set forth in the CFR.

2 The citations to the State Implementation Plan (SIP) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the SIP.

2. The permittee shall permanently attach an identification tag or nameplate on each piece of equipment which identifies the model number, serial or I.D. number and manufacturer. The identification tag or nameplate shall be attached to the equipment in a conspicuous location.

(Auth.: HAR §11-60.1-5)

Section B. Operational and Emission Limitations

1. The two (2) limestone dryers shall be fired only on Fuel Oil No. 2 with a maximum fuel sulfur content not to exceed 0.5 percent by weight.

3. From the two (2) baghouses servicing the two (2) limestone dryers, particulate matter, sulfur oxides and nitrogen oxides (NOX as NO2) shall not be emitted in excess of the following specified limits:

CSP No. 0087-01-CAttachment IIBPage 1 of 4[Issuance Date]

Compound

Maximum Emission Limits (lb/hr) (3-hr average)

Particulate Matter

0.04

Sulfur Dioxides

4.8

Nitrogen Oxides

1.4

(Auth.: HAR §11-60.1-5, §11-60.1-90)

4. The permittee shall ensure the following items of the baghouse are operating properly:

a. The filter bags are checked for any tears, holes, abrasions and scuffs; and replaced as needed. b. The hoppers are discharged in a timely manner to prevent excessive particulate buildup which could cause compaction, overflow or plugging. c. The cleaning system is maintained and operated at sufficient intervals to minimize particulate buildup or caking on the filter bags. d. Other items/equipment, essential for the effective operation of the baghouse are maintained.

(Auth.: HAR §11-60.1-5, §11-60.1-90)

5. For any six (6) minute averaging period, the two (2) limestone dryers shall not exhibit visible emissions of twenty (20) percent opacity or greater, except as follows. During start-up, shutdown, or equipment breakdown, the two (2) limestone dryers may exhibit visible emissions greater than twenty, but not exceeding sixty (60) percent opacity for a period aggregating not more than six minutes in any one hour.

(Auth.: HAR §11-60.1-3, §11-60.1-32, §11-60.1-90; SIP§11-60-24)2

6. Fugitive Particulate Emissions

a. The permittee shall take measures to control fugitive dust (e.g., wet suppression, enclosures, etc.) at all material transfer points, stockpiles, and throughout the workyard. The Department of Health may at any time require the permittee to further abate fugitive dust emissions if an inspection indicates poor or insufficient control.

b. The permittee shall not cause or permit fugitive dust to become airborne without taking reasonable precautions and shall not cause or permit the discharge of visible emissions or fugitive dust beyond the lot line of the property on which the emissions originate.

(Auth.: HAR §11-60.1-3, §11-60.1-33, §11-60.1-90)

Section C. Monitoring and Recordkeeping Requirements

1. The sulfur content of the fuel oil shall be tested in accordance with the most current ASTM methods. The sulfur content of the fuel oil shall be verified by both of the following methods:

a. A representative sample of the fuel oil shall be analyzed for its sulfur content by weight at least once a month; and b. A certificate of analysis on the sulfur content of the fuel oil shall be obtained from the supplier upon delivery of shipment.

(Auth.: HAR §11-60.1-5, §11-60.1-11, §11-60.1-90; SIP§11-60-15)2

2. The permittee shall maintain records on the total amount of fuel fired in the two (2) limestone dryers on a daily and monthly basis.

(Auth.: HAR §11-60.1-5, §11-60.1-11, §11-60.1-90; SIP§11-60-15)2

3. All records, including support information, shall be maintained at the facility for at least five (5) years from the date of the monitoring samples, measurements, tests, reports, or application. Support information includes all calibration and maintenance records and copies of all reports required by the permit. These records shall be in a permanent form suitable for inspection and made available to the Department of Health or their representative upon request.

1. The permittee shall submit semi-annually the following written reports to the Department of Health. The reports shall be submitted within sixty (60) days afterthe end of each semi-annual calendar period (January 1 to June 30 and July 1 to December 31), and shall include the following:

a. A summary report of the fuel usage and sulfur content of the fuel fired in the limestone dryers.b. Deviations from permit requirements shall be clearly identified and addressed in these reports.

(Auth.: HAR §11-60.1-3, §11-60.1-90)

2. Additional notification and reporting requirements shall be conducted in accordance with the standard conditions found in Attachment I, Standard Conditions 16, 17 and 25, respectively. These notifications shall include, but not be limited to:

a. Intent to shut down air pollution control equipment for necessary scheduled maintenance, b. Emissions of air pollutants in violation of HAR, Chapter 11-60.1 or this permit (excluding technology-based emission exceedences due to emergencies), and c. Permanent discontinuance of construction, modification, relocation or operation of the facility covered by this permit.

(Auth.: HAR §11-60.1-8, §11-60.1-15, §11-60.1-16, §11-60.1-90)

3. Annual Emissions

As required by Attachment IV and in conjunction with the requirements of Attachment III, the permittee shall submit on an annual basis the total tons per year emitted of each regulated air pollutant, including hazardous air pollutants. The reporting of annual emissions is due within sixty (60) daysfollowing the end of each calendar year. Upon written request of the permittee, the deadline may be extended if the Department of Health determines that reasonable justification exists for the extension.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-90, §11-60.1-114)

4. Compliance Certification

During the permit term, the permittee shall submit at least annually to the Department of Health a compliance certification pursuant to HAR, Subsection 11-60.1-86. The permittee shall indicate whether or not compliance is being met with each term or condition of this permit.

(Auth.: HAR §11-60.1-86, §11-60.1-90)

5. The permittee shall report within five (5) working daysany deviations from the permit requirements, including those attributable to upset conditions, the probable cause of such deviations and any corrective actions or preventive measures taken. Corrective actions may include a requirement for additional stack testing or more frequent monitoring, or could trigger implementation of a corrective action plan.

1. Although a stack test or opacity test is not required at this time, the Department of Health reserves the right to require, at any time, a stack test or opacity test to be performed for these sources.

(Auth.: HAR §11-60.1-5, §11-60.1-11, §11-60.1-90; SIP§11-60-15)2

Section F. Agency Notification

Any document (including reports) required to be submitted by this Covered Source Permit shall be in accordance with Attachment I, Standard Conditions, Condition 29.

(Auth.: HAR §11-60.1-4, §11-60.1-90)

1The citations to the Code of Federal Regulations (CFR) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the CFR. Due to the integration of the preconstruction and operating permit requirements, permit conditions may incorporate more stringent requirements than those set forth in the CFR.

2The citations to the State Implementation Plan (SIP) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the SIP.

2. The permittee shall permanently attach an identification tag or nameplate on each piece of equipment which identifies the model number, serial or I.D. number and manufacturer. The identification tag or nameplate shall be attached to the equipment in a conspicuous location.

(Auth.: HAR §11-60.1-5)

Section B. Applicable Federal Regulations

1. The No. 2 Fuel Oil Storage Tank is exempt from the provisions of New Source Performance Standards (NSPS), Subpart Kb - Standards of Performance for Volatile Organic Liquid Storage Vessels for which Construction, Reconstruction, or Modification Commenced after July 23, 1984, due to the operational limitation specified in Attachment IIC, Special Condition No. C.1. Should there be any relaxation in this restriction by storing any volatile organic liquid (VOL) with a true vapor pressure greater than or equal to 3.5 kPa, the petroleum storage tank will be subject to all applicable requirements of Subpart Kb, including all notification, monitoring and reporting requirements.

2. Records shall be maintained on the type of fuel stored in the tank, the period of storage and the maximum true vapor pressure (kPa) of the fuel stored during the respective storage period. Determination of the maximum true vapor pressure shall be in accordance with 40 CFR Part 60, Section 116b(e).

3. All records, including support information, shall be maintained at the facility for at least five (5) years from the date of the monitoring samples, measurements, tests, reports, or application. Support information includes all calibration and maintenance records and copies of all reports required by the permit. These records shall be in a permanent form suitable for inspection and made available to the Department of Health or their representative upon request.

1. The Department of Health shall be notified if the service of this tank is changed from storing No. 2 Fuel Oil. This notification shall occur in writing at least thirty (30) daysprior to the change of service.

(Auth.: HAR §11-60.1-5, §11-60.1-90)

2. Alternate Operating Scenarios.

a. Terms and conditions for reasonably anticipated operating scenarios identified by the source in the Covered Source Permit application and approved by the Department of Health are as follows:

i. The permittee may store VOL other than No. 2 Fuel Oil in the petroleum storage tank provided that all applicable conditions of this Covered Source Permit are satisfied and the following are adhered to:

(1) Prior to storage of an alternate fuel, the permittee shall submit written notification identifying the type of VOL intended to be stored and obtain the Department of Health’s approval for storing the alternate fuel; (2) Proper documentation indicating the VOL as having a true vapor pressure less than 3.5 kPa shall be submitted with the written notification; and (3) If requested by the Department of Health, a determination of the true vapor pressure of the VOL shall be performed in accordance with an applicable method as specified in NSPS, Subpart Kb or any other method approved by the Department of Health.

ii. The permittee shall, contemporaneously with making a change from one operating scenario to another, record in a log at the permitted facility the scenario under which it is operating and, if required by any applicable requirement or the Department of Health, submit written notification to the Department of Health, and iii. The terms and conditions under each alternative operating scenario shall meet all applicable requirements including conditions of this permit.

(Auth.: HAR §11-60.1-5, §11-60.1-90)

3. Annual Emissions

As required by Attachment IV and in conjunction with the requirements of Attachment III, the permittee shall submit on an annual basis the total tons per year emitted of each regulated air pollutant, including hazardous air pollutants. The reporting of annual emissions is due within sixty (60) daysfollowing the end of each calendar year. Upon written request of the permittee, the deadline may be extended if the Department of Health determines that reasonable justification exists for the extension.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-90, §11-60.1-114)

4. Compliance Certification

During the permit term, the permittee shall submit at least annually to the Department of Health a compliance certification pursuant to HAR, Subsection 11-60.1-86. The permittee shall indicate whether or not compliance is being met with each term or condition of this permit.

(Auth.: HAR §11-60.1-86, §11-60.1-90)

5. The permittee shall submit semi-annually the following written reports to the Department of Health. The reports shall be submitted within sixty (60) days afterthe end of each semi-annual calendar period (January 1 to June 30 and July 1 to December 31), and shall include the following:

a. Type of fuel stored in the tank, dates of storage, and the maximum true vapor pressure (kPa) of the fuel stored.

b. Deviations from permit requirements shall be clearly identified and addressed in these reports.

(Auth.: HAR §11-60.1-3, §11-60.1-90)

6. Additional notification and reporting requirements shall be conducted in accordance with the standard conditions found in Attachment I, Standard Conditions 16, 17 and 25, respectively. These notifications shall include, but not be limited to:

a. Intent to shut down air pollution control equipment for necessary scheduled maintenance, b. Emissions of air pollutants in violation of HAR, Chapter 11-60.1 or this permit (excluding technology-based emission exceedences due to emergencies), and c. Permanent discontinuance of construction, modification, relocation or operation of the facility covered by this permit.

(Auth.: HAR §11-60.1-8, §11-60.1-15, §11-60.1-16, §11-60.1-90)

Section F. Agency Notification

Any document (including reports) required to be submitted by this Covered Source Permit shall be in accordance with Attachment I, Standard Conditions, Condition 29.

(Auth.: HAR §11-60.1-4, §11-60.1-90)

1The citations to the Code of Federal Regulations (CFR) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the CFR. Due to the integration of the preconstruction and operating permit requirements, permit conditions may incorporate more stringent requirements than those set forth in the CFR.

2 The citations to the State Implementation Plan (SIP) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the SIP.

2. The permittee shall permanently attach an identification tag or nameplate on each piece of equipment which identifies the model number, serial or I.D. number and manufacturer. The identification tag or nameplate shall be attached to the equipment in a conspicuous location.

(Auth.: HAR §11-60.1-5)

Section B. Operational and Emission Limitations

1. Chromium-containing water treatment chemicals shall not be used in to the cooling tower.

2. The design circulating rate of the cooling tower shall not exceed 104,000 gallons per minute.

(Auth.: HAR §11-60.1-5, §11-60.1-90)

3. The cooling tower maximum drift loss shall not exceed 0.002% of the total circulating rate of the water.

(Auth.: HAR §11-60.1-5, §11-60.1-90)

4. The cooling tower circulating water shall not contain total dissolved solids in excess of 44,000 mg/l or chlorine in excess of 1 mg/l.

(Auth.: HAR §11-60.1-5, §11-60.1-90)

Section C. Monitoring and Recordkeeping Requirements

1. Manufacturer's data on the design total drift rate and maximum design circulating flow rate of the cooling tower shall be kept on file at the facility for the life of the equipment.

CSP No. 0087-01-CAttachment IIDPage 1 of 4[Issuance Date]

(Auth.: HAR §11-60.1-5, §11-60.1-90)

2. Records shall be maintained on the type and quantities of water treatment chemicals used in the cooling tower on a monthly basis. All Material Safety Data Sheets (MSDSs) associated with each chemical shall be maintained on site and made available for Department of Health’s inspection upon request.

(Auth.: HAR §11-60.1-5, §11-60.1-90)

3. The cooling tower blowdown water shall be analyzed monthly for the following in accordance with test methods approved by the Department of Health:

a. Total Dissolved Solids b. Chlorine

The permittee shall submit a test plan, including testing methodology, to the Department of Health for approval within ninety (90) days of Permit issuance.

(Auth.: HAR §11-60.1-5, §11-60.1-11, §11-60.1-90)

4. An on-site log shall be kept of the cooling tower blowdown water analysis test results.

(Auth.: HAR §11-60.1-5, §11-60.1-90)

5. An inspection, maintenance and repair log shall be maintained for the cooling tower.

(Auth.: HAR §11-60.1-5, §11-60.1-90)

6. The Department of Health at any time may require the permittee to conduct water sample analysis for chromium based water treatment chemicals.

(Auth.: HAR §11-60.1-5, §11-60.1-90, 40 CFR 63.404)

7. All records, including support information, shall be maintained at the facility for at least five (5) years from the date of the monitoring samples, measurements, tests, reports, or application. Support information includes all calibration and maintenance records and copies of all reports required by the permit. These records shall be in a permanent form suitable for inspection and made available to the Department of Health or their representative upon request.

1. The permittee shall submit semi-annually the following written reports to the Department of Health. The reports shall be submitted within sixty (60) days afterthe end of each semi-annual calendar period (January 1 to June 30 and July 1 to December 31), and shall include the following:

a. A summary of the cooling tower blowdown water analysis test results. b. Deviations from permit requirements shall be clearly identified and addressed in these reports.

(Auth.: HAR §11-60.1-3, §11-60.1-90)

2. Additional notification and reporting requirements shall be conducted in accordance with the standard conditions found in Attachment I, Standard Conditions 16, 17 and 25, respectively These notifications shall include, but not be limited to:

a. Intent to shut down air pollution control equipment for necessary scheduled maintenance, b. Emissions of air pollutants in violation of HAR, Chapter 11-60.1 or this permit (excluding technology-based emission exceedences due to emergencies), and c. Permanent discontinuance of construction, modification, relocation or operation of the facility covered by this permit.

(Auth.: HAR §11-60.1-8, §11-60.1-15, §11-60.1-16, §11-60.1-90)

3. The permittee shall report within five (5) working daysany deviations from the permit requirements, including those attributable to upset conditions, the probable cause of such deviations and any corrective actions or preventive measures taken. Corrective actions may include a requirement for additional stack testing or more frequent monitoring, or could trigger implementation of a corrective action plan.

As required by Attachment IV and in conjunction with the requirements of Attachment III, the permittee shall submit on an annual basis the total tons per year emitted of each regulated air pollutant, including hazardous air pollutants. The reporting of annual emissions is due within sixty (60) daysfollowing the end of each calendar year. Upon written request of the permittee, the deadline may be extended if the Department of Health determines that reasonable justification exists for the extension.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-90, §11-60.1-114)

5. Compliance Certification

During the permit term, the permittee shall submit at least annually to the Department of Health a compliance certification pursuant to HAR, Subsection 11-60.1-86. The permittee shall indicate whether or not compliance is being met with each term or condition of this permit.

(Auth.: HAR §11-60.1-86, §11-60.1-90)

Section E. Agency Notification

Any document (including reports) required to be submitted by this Covered Source Permit shall be in accordance with Attachment I, Standard Conditions, Condition 29.

(Auth.: HAR §11-60.1-4, §11-60.1-90)

1The citations to the Code of Federal Regulations (CFR) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the CFR. Due to the integration of the preconstruction and operating permit requirements, permit conditions may incorporate more stringent requirements than those set forth in the CFR.

2The citations to the State Implementation Plan (SIP) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the SIP.

2. The permittee shall permanently attach an identification tag or name plate on each piece of equipment which identifies the model number, serial or I.D. number and manufacturer. The identification tag or nameplate shall be attached to all equipment in a conspicuous location.

(Auth.: HAR §11-60.1-5)

Section B. Applicable Federal Regulations

1. This equipment is subject to the provisions of the following sections of 40 CFR Part 60, Standards of Performance for New Stationary Sources:

The permittee shall comply with all applicable requirements of these standards, including all emission limits, notification, testing, monitoring and reporting requirements. The major requirements of these standards are detailed in the special conditions of this permit.

3. The permittee shall ensure the following items of the baghouse are operating properly:

a. The filter bags are checked for any tears, holes, abrasions and scuffs; and replaced as needed. b. The hoppers are discharged in a timely manner to prevent excessive particulate buildup which could cause compaction, overflow or plugging. c. The cleaning system is maintained and operated at sufficient intervals to minimize particulate buildup or caking on the filter bags. d. Other items/equipment, essential for the effective operation of the baghouse are maintained.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-90)

4. Fugitive Particulate Emissions

a. The permittee shall take measures to control fugitive dust (e.g., wet suppression, enclosures, etc.) at all material transfer points, stockpiles, and throughout the workyard. The Department of Health may at any time require the permittee to further abate fugitive dust emissions if an inspection indicates poor or insufficient control.

(Auth.: HAR §11-60.1-3, §11-60.1-33, §11-60.1-90)

b. The permittee shall not cause or permit fugitive dust to become airborne without taking reasonable precautions and shall not cause or permit the discharge of visible emissions or fugitive dust beyond the lot line of the property on which the emissions originate.

(Auth.: HAR §11-60.1-3, §11-60.1-33, §11-60.1-90)

Section D. Monitoring and Recordkeeping Requirements

1. All records, including support information, shall be maintained at the facility for at least five (5) years from the date of the monitoring samples, measurements, tests, reports, or application. Support information includes all calibration and maintenance records and copies of all reports required by the permit. These records shall be in a permanent form suitable for inspection and made available to the Department of Health or their representative upon request.

1. Notification and reporting requirements shall be conducted in accordance with the standard conditions found in Attachment I, Standard Conditions 16, 17 and 25, respectively. These notifications shall include, but not be limited to:

a. Intent to shut down air pollution control equipment for necessary scheduled maintenance, b. Emissions of air pollutants in violation of HAR, Chapter 11-60.1 or this permit (excluding technology-based emission exceedences due to emergencies), and c. Permanent discontinuance of construction, modification, relocation or operation of the facility covered by this permit.

2. The permittee shall report within five (5) working daysany deviations from the permit requirements, including those attributable to upset conditions, the probable cause of such deviations and any corrective actions or preventive measures taken. Corrective actions may include a requirement for additional stack testing or more frequent monitoring, or could trigger implementation of a corrective action plan.

As required by Attachment IV and in conjunction with the requirements of Attachment III, the permittee shall submit on an annual basis the total tons per year emitted of each regulated air pollutant, including hazardous air pollutants. The reporting of annual emissions is duewithin sixty (60) daysfollowing the end of each calendar year. Upon written request of the permittee, the deadline may be extended if the Department of Health determines that reasonable justification exists for the extension.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-90, §11-60.1-114)

4. Compliance Certification

During the permit term, the permittee shall submit at least annually to the Department of Health a compliance certification pursuant to HAR, Subsection 11-60.1-86. The permittee shall indicate whether or not compliance is being met with each term or condition of this permit.

(Auth.: HAR §11-60.1-86, §11-60.1-90)

Section F. Testing Requirements

1. Performance tests for the determination of opacity shall be conducted on an annual basis using Method 9 of 40 CFR Part 60 Appendix A and the procedures in 40 CFR 60.11 with the following additions:

a. The minimum distance between the observer and the emission source shall be 4.57 meters (15 feet). b. The observer shall, when possible, select a position that minimizes interference from other fugitive emission sources. The required observer position relative to the sun (Method 9, Section 2.1) must be followed.

The results shall be recorded and reported in accordance with 40 CFR Part 60 Appendix A and 40 CFR 60.8. The performance tests shall be made at the expense of the permittee and shall be conducted at the maximum expected operating capacity of the unit being tested. The Department of Health may monitor the tests, and all test data and results must be submitted to the Department of Health no later than sixty (60) daysafter completion of the tests.

Any document (including reports) required to be submitted by this Covered Source Permit shall be in accordance with Attachment I, Standard Conditions, Condition 29.

(Auth.: HAR §11-60.1-4, §11-60.1-90)

1The citations to the Code of Federal Regulations (CFR) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the CFR. Due to the integration of the preconstruction and operating permit requirements, permit conditions may incorporate more stringent requirements than those set forth in the CFR.

2The citations to the State Implementation Plan (SIP) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the SIP.

2. The permittee shall permanently attach an identification tag or nameplate on each piece of equipment which identifies the model number, serial or I.D. number and manufacturer. The identification tag or nameplate shall be attached to all equipment in a conspicuous location.

(Auth.: HAR §11-60.1-5)

Section B. Applicable Federal Regulations

1. This equipment is subject to the provisions of the following sections of 40 CFR Part 60, Standards of Performance for New Stationary Sources:

The permittee shall comply with all applicable requirements of these standards, including all emission limits, notification, testing, monitoring and reporting requirements. The major requirements of these standards are detailed in the special conditions of this permit.

3. The permittee shall ensure the following items of the baghouse are operating properly:

a. The filter bags are checked for any tears, holes, abrasions and scuffs; and replaced as needed. b. The hoppers are discharged in a timely manner to prevent excessive particulate buildup which could cause compaction, overflow or plugging. c. The cleaning system is maintained and operated at sufficient intervals to minimize particulate buildup or caking on the filter bags. d. Other items/equipment, essential for the effective operation of the baghouse are maintained.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-90)

4. Fugitive Particulate Emissions

a. The permittee shall take measures to control fugitive dust (e.g., wet suppression, enclosures, etc.) at all material transfer points, stockpiles, and throughout the workyard. The Department of Health may at any time require the permittee to further abate fugitive dust emissions if an inspection indicates poor or insufficient control.

(Auth.: HAR §11-60.1-3, §11-60.1-33, §11-60.1-90)

b. The permittee shall not cause or permit fugitive dust to become airborne without taking reasonable precautions and shall not cause or permit the discharge of visible emissions or fugitive dust beyond the lot line of the property on which the emissions originate.

(Auth.: HAR §11-60.1-3, §11-60.1-33, §11-60.1-90)

Section D. Monitoring and Recordkeeping Requirements

1. All records, including support information, shall be maintained at the facility for at least five (5) years from the date of the monitoring samples, measurements, tests, reports, or application. Support information includes all calibration and maintenance records and copies of all reports required by the permit. These records shall be in a permanent form suitable for inspection and made available to the Department of Health or their representative upon request.

1. Notification and reporting requirements shall be conducted in accordance with the standard conditions found in Attachment I, Standard Conditions 16, 17, and 25, respectively. These notifications shall include, but not be limited to:

a. Intent to shut down air pollution control equipment for necessary scheduled maintenance,

b. Emissions of air pollutants in violation of HAR, Chapter 11-60.1 or this permit (excluding technology-based emission exceedences due to emergencies), and c. Permanent discontinuance of construction, modification, relocation or operation of the facility covered by this permit.

2. The permittee shall report within five (5) working daysany deviations from the permit requirements, including those attributable to upset conditions, the probable cause of such deviations and any corrective actions or preventive measures taken. Corrective actions may include a requirement for additional stack testing or more frequent monitoring, or could trigger implementation of a corrective action plan.

As required by Attachment IV and in conjunction with the requirements of Attachment III, the permittee shall submit on an annual basis the total tons per year emitted of each regulated air pollutant, including hazardous air pollutants. The reporting of annual emissions is due within sixty (60) daysfollowing the end of each calendar year. Upon written request of the permittee, the deadline may be extended if the Department of Health determines that reasonable justification exists for the extension.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-90, §11-60.1-114)

4. Compliance Certification

During the permit term, the permittee shall submit at least annually to the Department of Health a compliance certification pursuant to HAR, Subsection 11-60.1-86. The permittee shall indicate whether or not compliance is being met with each term or condition of this permit.

(Auth.: HAR §11-60.1-86, §11-60.1-90)

Section F. Testing Requirements

1. Performance tests for the determination of opacity shall be conducted on an annual basis using Method 9 of 40 CFR Part 60 Appendix A and the procedures in 40 CFR 60.11 with the following additions:

a. The minimum distance between the observer and the emission source shall be 4.57 meters (15 feet). b. The observer shall, when possible, select a position that minimizes interference from other fugitive emission sources. The required observer position relative to the sun (Method 9, Section 2.1) must be followed.

The results shall be recorded and reported in accordance with 40 CFR Part 60 Appendix A and 40 CFR 60.8. The performance tests shall be made at the expense of the permittee and shall be conducted at the maximum expected operating capacity of the unit being tested. The Department of Health may monitor the tests, and all test data and results must be submitted to the Department of Health no later than sixty (60) daysafter completion of the tests.

1The citations to the Code of Federal Regulations (CFR) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the CFR. Due to the integration of the preconstruction and operating permit requirements, permit conditions may incorporate more stringent requirements than those set forth in the CFR.

2The citations to the State Implementation Plan (SIP) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the SIP.

2. The permittee shall permanently attach an identification tag or nameplate on each piece of equipment which identifies the model number, serial or I.D. number and manufacturer. The identification tag or nameplate shall be attached to all equipment in a conspicuous location.

(Auth.: HAR §11-60.1-5)

Section B. Operational and Emission Limitations

1. Emissions Limitations

The permittee shall not discharge or cause the discharge into the atmosphere:

a. The permittee shall take measures to control fugitive dust (e.g., wet suppression, enclosures, etc.) at all material transfer points, stockpiles, and throughout the workyard. The Department of Health may at any time require the permittee to further abate fugitive dust emissions if an inspection indicates poor or insufficient control.

(Auth.: HAR §11-60.1-3, §11-60.1-33, §11-60.1-90)

b. The permittee shall not cause or permit fugitive dust to become airborne without taking reasonable precautions and shall not cause or permit the discharge of visible emissions or fugitive dust beyond the lot line of the property on which the emissions originate.

(Auth.: HAR §11-60.1-3, §11-60.1-33, §11-60.1-90)

CSP No. 0087-01-CAttachment IIGPage 1 of 3[Issuance Date]

Section C. Monitoring and Recordkeeping Requirements

1. All records, including support information, shall be maintained at the facility for at least five (5) years from the date of the monitoring samples, measurements, tests, reports, or application. Support information includes all calibration and maintenance records and copies of all reports required by the permit. These records shall be in a permanent form suitable for inspection and made available to the Department of Health or their representative upon request.

1. Notification and reporting requirements shall be conducted in accordance with the standard conditions found in Attachment I, Standard Conditions 16, 17 and 25, respectively. These notifications shall include, but not be limited to:

a. Intent to shut down air pollution control equipment for necessary scheduled maintenance,

b. Emissions of air pollutants in violation of HAR, Chapter 11-60.1 or this permit (excluding technology-based emission exceedences due to emergencies), and c. Permanent discontinuance of construction, modification, relocation or operation of the facility covered by this permit.

2. The permittee shall report within five (5) working daysany deviations from the permit requirements, including those attributable to upset conditions, the probable cause of such deviations and any corrective actions or preventive measures taken. Corrective actions may include a requirement for additional stack testing or more frequent monitoring, or could trigger implementation of a corrective action plan.

As required by Attachment IV and in conjunction with the requirements of Attachment III, the permittee shall submit on an annual basis the total tons per year emitted of each regulated air pollutant, including hazardous air pollutants. The reporting of annual emissions is duewithin sixty (60) daysfollowing the end of each calendar year. Upon written request of the permittee, the deadline may be extended if the Department of Health determines that reasonable justification exists for the extension.

(Auth.: HAR §11-60.1-3, §11-60.1-5, §11-60.1-90, §11-60.1-114)

4. Compliance Certification

During the permit term, the permittee shall submit at least annually to the Department of Health a compliance certification. The permittee shall indicate whether or not compliance is being met with each term or condition of this permit.

(Auth.: HAR §11-60.1-86, §11-60.1-90)

Section E. Testing Requirements

1. Although a stack test or opacity test is not required at this time, the Department of Health reserves the right to require, at any time, a stack test or opacity test to be performed for these sources.

(Auth.: HAR §11-60.1-5, §11-60.1-11, §11-60.1-90, SIP §11-60.1-15)2

Section F. Agency Notification

Any document (including reports) required to be submitted by this Covered Source Permit shall be in accordance with Attachment I, Standard Conditions, Condition 29.

(Auth.: HAR §11-60.1-4, §11-60.1-90)

1The citations to the Code of Federal Regulations (CFR) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the CFR. Due to the integration of the preconstruction and operating permit requirements, permit conditions may incorporate more stringent requirements than those set forth in the CFR.

2The citations to the State Implementation Plan (SIP) identified under a particular condition, indicate that the permit condition complies with the specified provision(s) of the SIP.

The following requirements for the submittal of annual fees are established pursuant to Hawaii Administrative Rules (HAR), Title 11, Chapter 60.1, Air Pollution Control. Should HAR, Chapter 60.1 be revised such that the following requirements are in conflict with the provisions of HAR, Chapter 60.1, the permittee shall comply with the provisions of HAR, Chapter 60.1.

1. Annual fees shall be paid in full:

a. Within sixty (60) days afterthe end of each calendar year, and b. Within thirty (30) days after the permanent discontinuance of the covered source.

In accordance with the Hawaii Administrative Rules, Title 11, Chapter 60.1, Air Pollution Control, the permittee shall report to the Hawaii Department of Health the nature and amounts of emissions.

1. Complete the attached Annual Emissions Report Form: Boilers

2. The reporting period shall be from January 1 to December 31 of each year. All reports shall be submitted to the State of Hawaii Department of Health within sixty (60) days afterthe end of each calendar year and shall be mailed to the following address:

3. The permittee shall retain the information submitted, including all emission calculations. These records shall be in a permanent form suitable for inspection, retained for a minimum of five (5) years, and made available to the State of Hawaii Department of Health upon request.

4. Any information submitted to the State of Hawaii Department of Health without a request for confidentially shall be considered public record.

5. In accordance with HAR, Section 11-60.1-14, the permittee may request confidential treatment of specific information by submitting a written request to the Director of Health and clearly identifying the specific information that is to be accorded confidential treatment.

I certify that I have knowledge of the facts herein set forth, that the same are true, accurate and complete to the best of my knowledge and belief, and that all information not identified by me as confidential in nature shall be treated by the Department of Health as public record.